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January 15, 2024
UBS Investors’ Misrepresentation Claims Involve Mark Elias

Soreide Law Group is investigating potential claims on behalf of investors who have incurred financial losses due to the actions of Mark Steven Elias (CRD#: 2938707, Houston, Texas). Elias, who has been registered with UBS Financial Services Inc. since January 31, 2003, is involved in investor disputes that have alleged investment-related misconduct. The focus of […]

January 11, 2024
Leslie Jackson Discloses FINRA Bar And Investor Dispute

Soreide Law Group is investigating potential claims on behalf of investors who may have incurred losses due to the actions of Leslie Don Jackson, also known as Les Jackson and Leslie Donn Jackson (CRD#: 2176917, Dallas, Texas). Particularly, Jackson was previously registered with Momentum Independent Network Inc. from September 19, 1991, to January 6, 2023. […]

January 10, 2024
Marion Leonberger Facing American Equity Client Dispute

Soreide Law Group is reviewing potential investor claims on behalf of those who may have invested with securities broker Marion Leonberger (also known as Marion Leopold Leonberger Jr. and as Sonny Leonberger (CRD#: 1083568, Louisville, Kentucky). Notably, FINRA BrokerCheck shows three investor disputes on the record of the securities broker. Evidently, he worked for American […]

January 9, 2024
Clients File Disputes About Philip Van Staden

FINRA BrokerCheck shows that investors filed disputes concerning securities broker Philippus Theunis Van Staden (also known as Philip Van Staden) [CRD#: 4489166, Winter Park, Florida]. Evidently, Van Staden joined Green Vista Capital LLC on July 18, 2018, as a securities broker, and Green Vista Asset Management LLC on August 21, 2018, as a financial advisor. […]

December 30, 2023
Investigation Into Shane DeSherlia's Trading At Moloney Securities

Investors have filed disputes regarding securities broker and financial advisor, Shane DeSherlia (CRD#: 6800960, Jerseyville, Illinois]. DeSherlia works with Moloney Securities Co. Inc., located in Jerseyville, Illinois, since May 24, 2017, and with Moloney Securities Asset Management LLC at the same location since November 7, 2019. Recently, multiple investors raised concerns regarding DeSherlia's practices, specifically […]

December 28, 2023
Kirk Crossen Terminated From Raymond James Over Internal Probe

Soreide Law Group is currently investigating potential claims on behalf of investors who may have sustained losses due to the actions of Kirk James Crossen [CRD: 2742256, Carmel, Indiana]. Specifically, Crossen worked for Raymond James Associates Inc. in Carmel, Indiana, from April 12, 2023, to November 16, 2023, and he previously worked for Morgan Stanley […]

December 22, 2023
Kurt Cambier Disclosed Cambridge Investor Disputes

Soreide Law Group is currently investigating potential claims on behalf of investors who may have incurred losses due to the conduct of securities broker and financial advisor, Kurt Douglas Cambier (CRD#: 1392482, Littleton, Colorado). Evidently, Cambier currently works with Cambridge Investment Research Inc. and Cambridge Investment Research Advisors Inc. in Littleton and Grand Junction, Colorado, […]

December 21, 2023
FINRA Brings Excessive Trading Charge Against Stewart Ginn

FINRA BrokerCheck reports that investors alleged losses because of Stewart Taylor Paxton Ginn Jr. (also known as Stewart Ginn) (CRD#: 4503197, Santa Maria, California). Notably, Ginn works with Independent Financial Group LLC as of September 3, 2015, and worked with Navian Capital Securities LLC in Cincinnati, Ohio from February 18, 2021, to March 10, 2023. […]

December 19, 2023
PASQUALE CAPONE & WELLS FARGO Lawsuit

Soreide Law Group has filed a FINRA arbitration on behalf of our client (Claimant) against: WELLS FARGO CLEARING SERVICES, LLC, and their registered representative, PASQUALE CAPONE. The lawsuit states that the Claimant was looking to generate a sustainable and safe income that could support his needs through retirement. The Claimant allegedly felt he could trust […]

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